Profil Expert - 42 ans
Domicile BR69A ORPINGTON
I am seasoned IT professional with comprehensive business/technical skill set and expertise in Reconciliation processes. I have extensive experience in migration projects, systems integration, requirements analysis, workflow design, project management, development, customer service, estimating, Finance industry, and vendor relationship.
I am looking for Techno-functional analyst roles where I can use my technical skills to deliver results.
Bachelor in Electronic Engineering, Mumbai University, India
AREAS OF EXPERTISE
Cash, Stock, FOBO, Confirmations, Control reconciliations using Intellimatch 8.1, Intellimatch 9.1 & Fiserv 2.5 Reconciliation development platform.
In-depth understanding of Intellimatch database schema.
Intellimatch Web/Desktop SILVER certification from SunGard.
Intellitracs/Payments and Investigation.
Supply chain management.
Business Process Design/Measurement
Reusable Business Processes Flows
Services Oriented Architecture SOA Applications.
Excellent Knowledge of swift messaging
Reconciliation Technologies Intellimatch 8.2, Intellimatch 9.2,Intellitrac 9.1 R2, Frontier 2.5 Chekfree ,
Banking Products StorQm, Swift alliance
Internet Technology HTML, Java Script, ASP, ASP.Net, VBScript
Tools MS-Project, Visio
Database Oracle 8i, SQL Server 2005
Language ASP, Visual Basic 6.0, C#, Dotnet, PL/SQL, C, C++, Java, Perl
Versioning Tools Microsoft Visual SourceSafe, Clearcase, Subversion
Reporting Tools Crystal Reports 8.5, Business Objects
Scheduling Tools Autosys, Control M
I have 12 + years of experience working on Intellisuite development platforms. During this time I have performed various roles like Intellimatch Developer, Support team lead, Intellimatch Solutions Architect, Intellimatch Business Analyst.
During my various roles on intellimatch platform, I was responsible for
Producing High level & Low level design documents
Produce Proof of concept designs
Perform Gap Analysis
Identify Risk Involved in project and communicate to Stake holders.
Scrutinize and design file specs for reconciliations
Solution building using Import formats, Match pass, Imatch Static configuration, Job Scheduling etc.
Produce release documents and Run books.
Handhold support team during go live and post go live support.
Vendor Team management
Train and mentor Junior Team members
Client Stake holder management.
Write SQL stored procedures/ Triggers to design solutions that is not possible through intellimatch STEP processing
Automate daily task by writing shell scripts using VB/Perl, Dotnet
Create custom crystal report as requested by Business Stake holders / Application Support Team.
Intellimatch SME , Cognizant Dec 2016 Till date
I have joined cognizant as Intellimatch product specialist and My current assignment at Royal bank of Canada involves migrations and Intellimatch upgrade to version 9.2.4. I am leading team of 6 developers to deliver migration and intellimatch upgrade project at Royal Bank of Canada London.
Intellimatch Senior Analyst, FIS Global July 2014- Dec 2016
Major Projects handled
Royal Bank of Scotland rainbow IntelliMatch migration
Credit Suisse Bern Switzerland Account MIS reconciliation systems.
Credit Suisse Bern Switzerland Trade Confirmation Recs.
Intellimatch SME, Saprev Limited, London October 2013- July 2014
Major Projects handled
Royal Bank of Canada October 2013- July 2014
As a consultant I have performed swift upgrade for year 2013. I was involved in understanding the swift changes and update the import formats and performs testing and implementing the change.
I was part of Intellimatch upgrade project where we migration 9 IntelliMatch databases from version 8.0 to 9.1.
I was part of Intellitrac upgrade project to migrate from version 2.1 to 9.1R2.
Intellimatch Developer, Sybersolve Solutions Limited, London Jan 2011- October 2013
Major Projects handled
Standard Bank London Jan 2011- Dec 2011
FSA regulatory reconciliation between FSA and Trading systems Murex, FRONT Arena, SPECTRUM
T+1 reconciliation between front office system Murex, Spectrum, FRONT and Message store which was being developed for regulatory reporting
Message store database vs All trading systems to ensure trades are fed correctly to centralized trade database.
Jefferies International limited Jan 2012 - Oct 2012
Various Internal & External reconciliation around Anvil Repo Trading platform.
General Ledger reconciliation between PeopleSoft & Gloss system.
Completing book of work enhancement on existing Nostro & Depo reconciliations
Standard Bank London October 2012- July 2013
I had developed following reconciliations using Intellimatch 8.2
Markitwire London External vs Murex London Front Office
Markitwire SA External vs Murex SA Front Office
Murex London Front Office vs Deutsche Bank Clearing Agent
Murex SA Front Office vs Deutsche Bank Clearing Agent
Frontier Analyst, Bank of America-Merrill Lynch, Singapore July 2008- to Jan 2011
I did join Merrill lynch as Support Team lead and build a new support team to support all the reconciliation users based in Japan, Korea, Australia, Indonesia, Hong Kong.
I introduced new processes for support team
Proactive Monitoring tools across all Intellimatch platforms
Batch monitoring and automatic reporting,
Reconciliation Matrix showing the files required to run reconciliations, delivery SLA s , Escalation Mechanism,
Created a knowledgebase to handle repetitive issues.
I worked on frontier migration project involving migration of existing reconciliations from Recon plus to new Frontier 2.5 reconciliation platform.
Intellimatch Analyst, Barclays Capital, Singapore April 2007- to July 2008
I joined Barclay s capital as senior Intellimatch support member. My responsibilities were to provide day to day support, Operations user management and maintain the overall health of the IntelliMatch reconciliation platform.
I have handled various BCP and DR exercises during my tenure as support person.
Intellimatch Developer, Credit Suisse, Singapore May 2006 April 2007
I joined Credit Suisse as Intellimatch developer and successfully acquired Intellimatch 7.6 product knowledge and reconciliation process knowledge within 15 days
MT535, MT536, MT950, MT940, MT 537 Swift Message changes,
Exchange reconciliations for LCH, CHI-X, CREST. Nostro reconciliation for new Nostro clients,
Depot reconciliations for various entities.
FOBO reconciliation between Mainframe systems and Gloss.
VISUAL BASIC DEVELOPER
I did work as Visual Basic Application developer before moving to Intellimatch Technology.
Application Support, Patni Computer systems Limited, India March 2005- May 2006
Successfully acquired knowledge for GE treasury applications like Payment Systems, Fund Allocation & Swift alliance
Supported complex payment systems, mission critical swift alliance system, ledger systems for GE treasury platform.
I was involved in quarter closing activities for Ledger books and understood ledger processing systems
Acquired new technical knowledge about Citrix, AUTOSYS, and WINPATROL systems.
Trained new team members on these applications and build new support team for GE payment systems.
Development Team Lead, Polaris Lab Limited, India May 2004- March 2005
Established new development & Support team for Warrant Processing System project under me
Prepared the knowledge base documents by understanding the Code and formalize the training plan for new team members joining the team
Managed the team of size 6 during all development lifecycle of the project.
Application migrated successfully from NT to 2000 platform.
I had performed the dual role of development and support lead for this project
Established best practices for application development, release processes, BCP, DR, Version control within short span of time.
Development Team Lead, Crisil Limited, India Aug 2003- Feb 2004
Successfully led the team of 4 to deliver three key projects i.e. Securitization tool, Risk Analysis, Collateral Management.
I had performed requirement gathering for securitization and Risk analysis tool along with CRISIL Business Analysts.
Securitization is process by which the cash flows are converted into trade-able products. This tool was primarily designed to calculate the cash flows under various scenarios. The loan pool then would be rated by the performance under various scenarios.
I was primarily responsible for Requirement gathering ,Estimation, Design, Coding and end user testing
Project Leader, PSK Softwares, India Jun 1999- Aug 2003
At PSK Softwares, We developed products to cater the needs of domestic market in India. These products include Accounting System, Supply chain management, Indenting systems, Payroll Systems, Excise system, Reporting systems designed for healthcare professionals.
All the products were developed using Microsoft development platform i.e. Visual basic 6.0, SQL, COM/DCOM, Activex, SQL Server, Ms Access, crystal report, ASP
Successfully led the team of 10 developers and achieved aggressive deadlines of highly demanding market.
I was primarily responsible for gathering requirement, analyzing the requirement, design the solution, estimate the effort, distribution of work, Testing, Final packaging and